Jupiter Asset Management

Jupiter Asset Management as of March 31, 2012

Portfolio Holdings for Jupiter Asset Management

Jupiter Asset Management holds 0 positions in its portfolio as reported in the March 2012 quarterly 13F filing

                Title
                                          of                        VALUE    SHRS or          INVESTMENT        VOTING AUTHORITY
Name of Issuer                         class         CUSIP            ($)    PRN AMT  SH/PRN  DISCRETION  SOLE  SHARED       NONE
{S}                                      {C}           {C}            {C}        {C}     {C}         {C}   {C}     {C}        {C}
ABBOTT LABORATORIES                      COM     002824100  17,119,951.83    279,327      SH              Sole            279,327
ACE LTD                                  COM  CH0044328745  18,306,734.40    250,092      SH              Sole            250,092
ACI WORLDWIDE INC                        COM     004498101   2,447,973.03     60,789      SH              Sole             60,789
AGILENT TECHNOLOGIES INC                 COM     00846U101  10,445,873.86    234,686      SH              Sole            234,686
ALLIANCE DATA SYSTEMS CORP               COM     018581108  14,719,433.68    116,858      SH              Sole            116,858
ALTRIA GROUP INC                         COM     02209S103   2,937,311.37     95,151      SH              Sole             95,151
AMERESCO INC-CL A                        COM     02361E108   7,016,501.65    517,823      SH              Sole            517,823
AMERICAN EXPRESS CO                      COM     025816109  41,669,383.36    720,176      SH              Sole            720,176
AMERICAN INTERNATIONAL GROUP             COM     026874784   9,306,189.65    301,855      SH              Sole            301,855
AMERICAN TOWER CORP                      COM     03027X100   1,641,229.86     26,043      SH              Sole             26,043
AMGEN INC                                COM     031162100   4,537,992.55     66,745      SH              Sole             66,745
AMGEN INC .375000% 02/01/2013           CONB     031162AQ3   6,640,790.00  6,500,000      SH              Sole          6,500,000
APPLE INC                                COM     037833100  50,447,798.38     84,154      SH              Sole             84,154
APPLIED MATERIALS INC                    COM     038222105   7,353,097.40    591,085      SH              Sole            591,085
ARCHER DANIELS .875000% 02/15/2014      CONB     039483AW2   8,802,014.00  8,600,000      SH              Sole          8,600,000
AVERY DENNISON CORP                      COM     053611109   8,896,515.23    295,271      SH              Sole            295,271
BANK OF AMERICA CORP                     COM     060505104  28,381,643.73  2,965,689      SH              Sole          2,965,689
BANK OF AMERICA CORP CFD               CFDNP     060505104     438,181.59     45,787      SH              Sole             45,787
BANK OF NEW YORK MELLON CORP             COM     064058100   3,322,411.44    137,688      SH              Sole            137,688
BANK OF NEW YORK MELLON CORP CFD       CFDNP     064058100     409,534.36     16,972      SH              Sole             16,972
BAXTER INTERNATIONAL INC                 COM     071813109   6,765,481.94    113,173      SH              Sole            113,173
BLACKSTONE GROUP LP/THE                  COM     09253U108     212,528.02     13,333      SH              Sole             13,333
BOTTOMLINE TECHNOLOGIES INC              COM     101388106   1,613,590.88     57,752      SH              Sole             57,752
BRISTOL-MYERS SQUIBB CO                  COM     110122108   6,669,337.50    197,610      SH              Sole            197,610
BRISTOW GROUP INC
  3.000000% 06/15/2038                  CONB     110394AC7   2,215,500.00  2,100,000      SH              Sole          2,100,000
CAPITAL ONE FINANCIAL CORP               COM     14040H105  24,754,078.26    444,099      SH              Sole            444,099
CAPITAL ONE FINANCIAL CORP CFD         CFDNP     14040H105     791,452.26     14,199      SH              Sole             14,199
CAPSTONE TURBINE CORP                    COM     14067D102     334,485.54    327,927      SH              Sole            327,927
CASELLA WASTE SYSTEMS INC-A              COM     147448104   5,613,641.18    901,066      SH              Sole            901,066
CENTRAL EUR DISTR CORP
  3.000000% 03/15/2013                  CONB     153435AA0   1,760,280.00  2,000,000      SH              Sole          2,000,000
CENTURYLINK INC                          COM     156700106   3,003,993.95     77,723      SH              Sole             77,723
CHARM COMMUNICATIONS INC-ADR             COM     16112R101   7,309,116.00    796,200      SH              Sole            796,200
CHEVRON CORP                             COM     166764100  31,529,310.68    294,007      SH              Sole            294,007
CHINA DISTANCE EDUCATION-ADR             ADR     16944W104     624,660.00    166,576      SH              Sole            166,576
CISCO SYSTEMS INC                        COM     17275R102  25,088,172.30  1,186,202      SH              Sole          1,186,202
CIT GROUP INC                            COM     125581801   1,656,198.40     40,160      SH              Sole             40,160
CITIGROUP INC                            COM     172967424  27,324,012.45    747,579      SH              Sole            747,579
CITIGROUP INC CFD                      CFDNP     172967424     687,395.85     18,807      SH              Sole             18,807
COCA-COLA CO/THE                         COM     191216100  33,963,114.99    458,899      SH              Sole            458,899
COLFAX CORP                              COM     194014106   9,292,083.20    263,680      SH              Sole            263,680
COLGATE-PALMOLIVE CO                     COM     194162103  13,361,441.44    136,648      SH              Sole            136,648
COMCAST CORP-CLASS A                     COM     20030N101  18,119,227.73    603,773      SH              Sole            603,773
COMCAST CORP-SPECIAL CL A                COM     20030N200  14,841,493.81    502,931      SH              Sole            502,931
COMPANHIA DE BEBIDAS-PRF ADR             ADR     20441W203     528,896.00     12,800      SH              Sole             12,800
CONCORD MEDICAL - SPON ADR               COM     206277105   4,194,489.00  1,067,300      SH              Sole          1,067,300
CONOCOPHILLIPS                           COM     20825C104  17,717,778.98    233,098      SH              Sole            233,098
CORNING INC                              COM     219350105   3,762,992.64    267,258      SH              Sole            267,258
COVANTA HOLDING CORP                     COM     22282E102   7,958,559.03    490,361      SH              Sole            490,361
COVIDIEN PLC                             COM  IE00B68SQD29   9,751,412.48    178,336      SH              Sole            178,336
CVS CAREMARK CORP                        COM     126650100  23,901,113.60    533,507      SH              Sole            533,507
D.R. HORTON INC 2.000000% 05/15/2014    CONB     23331ABB4   7,552,934.00  5,800,000      SH              Sole          5,800,000
DELL INC                                 COM     24702R101     365,200.00     22,000      SH              Sole             22,000
DISCOVER FINANCIAL SERVICES              COM     254709108  22,999,498.98    689,847      SH              Sole            689,847
DISCOVER FINANCIAL SERVICES CFD        CFDNP     254709108   1,161,698.96     34,844      SH              Sole             34,844
DISH NETWORK CORP-A                      COM     25470M109  15,176,975.98    460,886      SH              Sole            460,886
DR HORTON INC                            COM     23331A109   3,886,341.62    256,186      SH              Sole            256,186
EBAY INC                                 COM     278642103  10,997,905.03    298,127      SH              Sole            298,127
EMC CORP/MA                              COM     268648102  21,323,981.52    713,654      SH              Sole            713,654
EMCOR GROUP INC                          COM     29084Q100   1,117,254.60     40,305      SH              Sole             40,305
EMERSON ELECTRIC CO                      COM     291011104  21,364,213.94    409,433      SH              Sole            409,433
FIDELITY NATIONAL INFORMATIO             COM     31620M106   7,001,766.72    211,406      SH              Sole            211,406
FINANCIAL SELECT SECTOR SPDR           ETFNP     81369Y605  47,734,500.00  3,025,000      SH              Sole          3,025,000
FLEETCOR TECHNOLOGIES INC                COM     339041105     454,810.87     11,731      SH              Sole             11,731
GENERAL ELECTRIC CO                      COM     369604103     292,158.99     14,557      SH              Sole             14,557
GILEAD SCIENCES INC
  1.000000% 05/01/2014                  CONB     375558AN3  11,009,430.00  9,000,000      SH              Sole          9,000,000
GOLDMAN SACHS GROUP INC                  COM     38141G104  25,514,629.87    205,151      SH              Sole            205,151
GOOGLE INC-CL A                          COM     38259P508  19,565,514.88     30,512      SH              Sole             30,512
GREEN MOUNTAIN COFFEE ROASTE             COM     393122106   2,727,259.00     58,225      SH              Sole             58,225
HALLIBURTON CO                           COM     406216101   5,939,715.59    178,961      SH              Sole            178,961
HARSCO CORP                              COM     415864107   5,284,013.10    225,235      SH              Sole            225,235
HARTFORD FINANCIAL SVCS GRP              COM     416515104   3,270,182.56    155,132      SH              Sole            155,132
HDFC BANK LTD-ADR                        ADR     40415F101  16,157,978.10    473,841      SH              Sole            473,841
HEALTH CARE REIT INC
  3.000000% 12/01/2029                  CONB     42217KAR7   7,209,909.00  6,300,000      SH              Sole          6,300,000
HESS CORP                                COM     42809H107   8,631,223.20    146,416      SH              Sole            146,416
HOLLYSYS AUTOMATION TECHNOLO             COM  VGG456671053   6,890,000.00    650,000      SH              Sole            650,000
HONEYWELL INTERNATIONAL INC              COM     438516106  19,847,660.25    325,105      SH              Sole            325,105
HORSEHEAD HOLDING CORP                   COM     440694305   7,138,158.56    626,704      SH              Sole            626,704
HUB GROUP INC-CL A                       COM     443320106   5,227,232.40    145,080      SH              Sole            145,080
ICICI BANK LTD-SPON ADR                  ADR     45104G104  11,512,295.63    330,149      SH              Sole            330,149
INTERACTIVE BROKERS GRO-CL A             COM     45841N107   1,228,080.00     72,240      SH              Sole             72,240
INTL BUSINESS MACHINES CORP              COM     459200101  32,397,920.10    155,274      SH              Sole            155,274
INTUIT INC                               COM     461202103   1,670,110.75     27,775      SH              Sole             27,775
INVESCO LTD                              COM  BMG491BT1088  18,077,566.08    677,824      SH              Sole            677,824
INVESCO LTD CFD                        CFDNP  BMG491BT1088     780,604.23     29,269      SH              Sole             29,269
IPATH S^P 500 VIX S/T FU ETN           ETFNP     06740C261     856,070.72     50,896      SH              Sole             50,896
ISOFTSTONE HOLDINGS LTD-ADS              COM     46489B108     684,325.00     77,500      SH              Sole             77,500
ITAU UNIBANCO HLDNG-PREF ADR             ADR     465562106  10,930,835.09    569,611      SH              Sole            569,611
ITRON INC                                COM     465741106  16,141,211.55    355,455      SH              Sole            355,455
JANUS CAPITAL GROUP INC
  3.250000% 07/15/2014                  CONB     47102XAG0   5,028,000.00  4,800,000      SH              Sole          4,800,000
JOHNSON & JOHNSON                        COM     478160104  42,491,827.76    644,206      SH              Sole            644,206
JOHNSON CONTROLS INC                     COM     478366107   8,822,737.28    271,636      SH              Sole            271,636
JPMORGAN CHASE & CO                      COM     46625H100  30,546,031.34    664,333      SH              Sole            664,333
JPMORGAN CHASE & CO CFD                CFDNP     46625H100     725,380.48     15,776      SH              Sole             15,776
KANSAS CITY SOUTHERN                     COM     485170302   3,140,022.00     43,800      SH              Sole             43,800
KRAFT FOODS INC-CLASS A                  COM     50075N104   7,183,395.87    188,987      SH              Sole            188,987
KRISPY KREME DOUGHNUTS INC               COM     501014104   1,408,564.20    192,954      SH              Sole            192,954
KROGER CO                                COM     501044101  10,118,254.16    417,592      SH              Sole            417,592
LAZARD LTD-CL A                          COM  BMG540501027     301,022.40     10,540      SH              Sole             10,540
LAZARD LTD-CL A CFD                    CFDNP  BMG540501027     378,962.64     13,269      SH              Sole             13,269
LEGG MASON INC                           COM     524901105   2,657,008.83     95,131      SH              Sole             95,131
LENNAR CORP-A                            COM     526057104   5,852,533.50    215,325      SH              Sole            215,325
LEVEL 3 COMMUNICATIONS INC               COM     52729N308   2,455,825.58     95,446      SH              Sole             95,446
LINCOLN NATIONAL CORP                    COM     534187109   4,071,038.40    154,440      SH              Sole            154,440
LKQ CORP                                 COM     501889208  11,627,469.78    373,034      SH              Sole            373,034
MARATHON OIL CORP                        COM     565849106   1,061,950.00     33,500      SH              Sole             33,500
MARSH & MCLENNAN COS                     COM     571748102   1,264,152.87     38,553      SH              Sole             38,553
MASTERCARD INC-CLASS A                   COM     57636Q104  23,211,705.30     55,195      SH              Sole             55,195
MEDTRONIC INC                            COM     585055106  19,059,507.84    486,336      SH              Sole            486,336
MERCK & CO. INC.                         COM     58933Y105  11,216,832.00    292,105      SH              Sole            292,105
MICROCHIP TECHNOLOGY
  INC 2.125000% 12/15/2037              CONB     595017AB0   4,136,340.00  3,000,000      SH              Sole          3,000,000
MICROSOFT CORP                           COM     594918104  27,480,225.00    852,100      SH              Sole            852,100
MINDRAY MEDICAL INTL LTD-ADR             ADR     602675100   3,102,641.85     94,105      SH              Sole             94,105
MOBILE TELESYSTEMS-SP ADR                ADR     607409109  29,747,480.00  1,622,000      SH              Sole          1,622,000
MOLSON COORS BREWING
  CO 2.500000% 07/30/2013               CONB     60871RAA8   7,325,010.00  7,000,000      SH              Sole          7,000,000
MONSANTO CO                              COM     61166W101   4,168,337.36     52,261      SH              Sole             52,261
MOODY'S CORP                             COM     615369105   4,076,332.50     96,825      SH              Sole             96,825
MORGAN STANLEY                           COM     617446448  10,808,599.04    550,336      SH              Sole            550,336
MORGAN STANLEY CFD                     CFDNP     617446448     791,118.84     40,281      SH              Sole             40,281
NAVISTAR INTERNATIONAL CORP              COM     63934E108     647,200.00     16,000      SH              Sole             16,000
NAVISTAR INTL CORP
  3.000000% 10/15/2014                  CONB     63934EAL2   5,498,300.00  5,000,000      SH              Sole          5,000,000
NCI BUILDING SYSTEMS INC                 COM     628852204     767,947.20     66,720      SH              Sole             66,720
NEW ORIENTAL EDUCATIO-SP ADR             ADR     647581107   3,295,200.00    120,000      SH              Sole            120,000
OCCIDENTAL PETROLEUM CORP                COM     674599105  17,635,831.20    185,192      SH              Sole            185,192
ORACLE CORP                              COM     68389X105  18,769,621.32    643,677      SH              Sole            643,677
ORMAT TECHNOLOGIES INC                   COM     686688102   4,286,731.15    212,741      SH              Sole            212,741
OWENS CORNING                            COM     690742101  10,031,076.27    278,409      SH              Sole            278,409
PALL CORP                                COM     696429307  17,486,199.35    293,245      SH              Sole            293,245
PENTAIR INC                              COM     709631105   5,760,810.00    121,000      SH              Sole            121,000
PEPSICO INC                              COM     713448108  11,697,239.60    176,296      SH              Sole            176,296
PETROLEO BRASILEIRO S.A.-ADR             ADR     71654V408     358,878.72     13,512      SH              Sole             13,512
PETROLEO BRASILEIRO-SPON ADR             ADR     71654V101     447,121.08     17,493      SH              Sole             17,493
PFIZER INC                               COM     717081103  25,190,215.60  1,111,660      SH              Sole          1,111,660
PHILIP MORRIS INTERNATIONAL              COM     718172109   8,821,214.11     99,551      SH              Sole             99,551
PPL CORPORATION 8.75% 5/1/14          CPFDNP     69351T114   4,276,000.00     80,000      SH              Sole             80,000
PROCTER & GAMBLE CO/THE                  COM     742718109  16,493,468.42    245,402      SH              Sole            245,402
PROGRESSIVE WASTE SOLUTIONS              COM     74339G101   8,892,008.64    410,148      SH              Sole            410,148
PROSHARES ULTRASHORT 20+Y TR           ETFNP     74347R297     306,750.00     15,000      SH              Sole             15,000
PRUDENTIAL FINANCIAL INC                 COM     744320102   7,310,895.48    115,332      SH              Sole            115,332
QUANEX BUILDING PRODUCTS                 COM     747619104     404,361.68     22,936      SH              Sole             22,936
RAYONIER TRS HOLDINGS
  IN 3.750000% 10/15/2012               CONB     75508AAB2   4,122,500.00  3,400,000      SH              Sole          3,400,000
RAYTHEON COMPANY                         COM     755111507   4,154,683.26     78,717      SH              Sole             78,717
REGAL-BELOIT CORP                        COM     758750103  14,300,846.85    218,167      SH              Sole            218,167
REGIONS FINANCIAL CORP                   COM     7591EP100     352,044.39     53,421      SH              Sole             53,421
REPUBLIC SERVICES INC                    COM     760759100  31,622,479.52  1,034,767      SH              Sole          1,034,767
RESEARCH IN MOTION                       COM     760975102   2,451,230.27    166,637      SH              Sole            166,637
REYNOLDS AMERICAN INC                    COM     761713106  25,247,361.44    609,251      SH              Sole            609,251
SANDISK CORP 1.500000% 08/15/2017       CONB     80004CAD3   5,681,808.00  4,800,000      SH              Sole          4,800,000
SCHLUMBERGER LTD                         COM     806857108   7,855,726.41    112,337      SH              Sole            112,337
SCHNITZER STEEL INDS INC-A               COM     806882106   5,158,263.92    129,296      SH              Sole            129,296
SIMS METAL MANAG-SPON ADR                ADR     829160100   4,910,526.60    321,580      SH              Sole            321,580
SMITH (A.O.) CORP                        COM     831865209     996,136.95     22,161      SH              Sole             22,161
SPREADTRUM COMMUNICATI-ADR               ADR     849415203   3,580,500.00    217,000      SH              Sole            217,000
SPRINT NEXTEL CORP                       COM     852061100   2,068,966.05    725,953      SH              Sole            725,953
STATE STREET CORP                        COM     857477103   2,466,873.50     54,217      SH              Sole             54,217
STERICYCLE INC                           COM     858912108  14,640,261.96    175,039      SH              Sole            175,039
SUNOPTA INC                              COM     8676EP108   6,589,212.28  1,202,411      SH              Sole          1,202,411
SUNTRUST BANKS INC                       COM     867914103   9,964,783.43    412,279      SH              Sole            412,279
SYMANTEC CORP 1.000000% 06/15/2013      CONB     871503AF5   7,638,916.00  6,800,000      SH              Sole          6,800,000
TAIWAN SEMICONDUCTOR-SP ADR              ADR     874039100   1,786,675.12    116,929      SH              Sole            116,929
TIME WARNER INC                          COM     887317303   3,436,344.75     91,029      SH              Sole             91,029
TRAVELERS COS INC/THE                    COM     89417E109  14,705,812.80    248,409      SH              Sole            248,409
TYCO INTERNATIONAL LTD                   COM  CH0100383485  18,079,679.06    321,817      SH              Sole            321,817
UNITED NATURAL FOODS INC                 COM     911163103  20,430,687.58    437,863      SH              Sole            437,863
URANIUM ENERGY CORP                      COM     916896103   3,900,000.00  1,000,000      SH              Sole          1,000,000
US BANCORP                               COM     902973304  22,684,052.16    716,037      SH              Sole            716,037
VALE SA-SP PREF ADR                      ADR     91912E204     607,978.55     26,795      SH              Sole             26,795
VEECO INSTRUMENTS INC                    COM     922417100     371,170.80     12,978      SH              Sole             12,978
VERIFONE SYSTEMS INC                     COM     92342Y109  24,256,383.06    467,638      SH              Sole            467,638
VERIFONE SYSTEMS INC
  1.375000% 06/15/2012                  CONB     92342YAB5   2,982,250.00  2,500,000      SH              Sole          2,500,000
VISA INC-CLASS A SHARES                  COM     92826C839  24,402,754.00    206,803      SH              Sole            206,803
WABTEC CORP                              COM     929740108   1,965,046.64     26,072      SH              Sole             26,072
WAL-MART STORES INC                      COM     931142103  21,416,756.40    349,947      SH              Sole            349,947
WATERS CORP                              COM     941848103  15,245,627.78    164,533      SH              Sole            164,533
WEATHERFORD INTL LTD                     COM  CH0038838394     356,124.00     23,600      SH              Sole             23,600
WELLS FARGO & CO                         COM     949746101  57,921,377.76  1,696,584      SH              Sole          1,696,584
WHOLE FOODS MARKET INC                   COM     966837106  18,289,024.00    219,820      SH              Sole            219,820
XYLEM INC                                COM     98419M100   3,484,012.50    125,550      SH              Sole            125,550
YAMANA GOLD INC                          COM     98462Y100   9,444,976.64    604,672      SH              Sole            604,672
YUM! BRANDS INC                          COM     988498101   9,849,674.86    138,377      SH              Sole            138,377